US Stock MarketDetailed Quotes

The Chemours (CC)

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  • 24.670
  • -0.590-2.34%
Close May 12 15:59 ET
  • 24.838
  • +0.168+0.68%
Post 19:54 ET
3.71BMarket Cap-9.04P/E (TTM)

The Chemours (CC) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
60.71%-44M
141.71%264M
-0.72%137M
5.04%146M
115.00%93M
61.38%-112M
-213.85%-633M
-71.37%138M
6.11%139M
-1,025.37%-620M
Net income from continuing operations
-480.00%-29M
-659.42%-386M
-416.67%-62M
287.50%60M
-742.37%-379M
-109.26%-5M
127.38%69M
62.50%-12M
-390.91%-32M
115.69%59M
Operating gains losses
137.50%3M
-500.00%-12M
-42.86%20M
-36.36%-15M
-12.50%-9M
38.46%-8M
103.37%3M
-12.50%35M
90.18%-11M
20.00%-8M
Depreciation and amortization
-10.23%79M
16.44%340M
9.46%81M
8.22%79M
24.32%92M
23.94%88M
-5.50%292M
-2.63%74M
-3.95%73M
-5.13%74M
Deferred tax
21.43%-11M
306.45%64M
-300.00%-4M
11.11%-16M
753.33%98M
---14M
78.32%-31M
133.33%2M
72.73%-18M
79.17%-15M
Other non cash items
-129.73%-11M
493.33%59M
121.43%6M
-6.25%30M
-100.00%-14M
408.33%37M
-115.79%-15M
-216.67%-28M
-52.94%32M
-600.00%-7M
Change In working capital
61.86%-82M
117.42%178M
43.75%92M
-91.18%3M
140.88%298M
45.01%-215M
-265.37%-1.02B
-82.93%64M
-77.03%34M
-263.82%-729M
-Change in receivables
30.63%-77M
176.26%106M
36.55%269M
122.45%11M
37.62%-63M
40.32%-111M
-892.86%-139M
-0.51%197M
-200.00%-49M
-80.36%-101M
-Change in inventory
162.75%32M
24.29%-106M
40.00%-30M
58.02%-34M
-55.00%9M
-75.86%-51M
-329.51%-140M
-400.00%-50M
-192.05%-81M
-42.86%20M
-Change in payables and accrued expense
44.76%-58M
-4,225.00%-165M
-195.56%-86M
-91.01%8M
194.74%18M
32.69%-105M
105.41%4M
-65.25%90M
171.77%89M
88.48%-19M
-Change in other current assets
-64.58%17M
167.35%66M
97.26%-4M
250.00%6M
-23.81%16M
54.84%48M
---98M
-147.46%-146M
-125.00%-4M
-8.70%21M
-Change in other current liabilities
0.00%4M
142.68%277M
-111.11%-57M
-84.81%12M
148.92%318M
107.84%4M
-200.62%-649M
-107.69%-27M
-33.61%79M
-206.91%-650M
Cash from discontinued investing activities
Operating cash flow
60.71%-44M
141.71%264M
-0.72%137M
5.04%146M
115.00%93M
61.38%-112M
-213.85%-633M
-71.37%138M
6.11%139M
-1,025.37%-620M
Investing cash flow
Cash flow from continuing investing activities
48.84%-44M
41.64%-206M
59.81%-43M
53.33%-35M
40.00%-42M
14.85%-86M
-54.15%-353M
17.69%-107M
-229.31%-75M
-16.67%-70M
Net PPE purchase and sale
41.67%-49M
40.83%-213M
58.72%-45M
46.05%-41M
41.10%-43M
17.65%-84M
2.70%-360M
19.26%-109M
11.63%-76M
-25.86%-73M
Net investment purchase and sale
-50.00%-3M
-150.00%-1M
0.00%2M
-200.00%-1M
--0
0.00%-2M
125.00%2M
--2M
112.50%1M
-83.33%1M
Net other investing changes
--8M
60.00%8M
--0
--7M
----
----
-96.64%5M
--0
--0
--2M
Cash from discontinued investing activities
Investing cash flow
48.84%-44M
41.64%-206M
59.81%-43M
53.33%-35M
40.00%-42M
14.85%-86M
-54.15%-353M
17.69%-107M
-229.31%-75M
-16.67%-70M
Financing cash flow
Cash flow from continuing financing activities
66.67%-19M
-250.00%-126M
-143.53%-37M
81.48%-5M
32.50%-27M
-5.56%-57M
-120.93%-36M
1,800.00%85M
-108.31%-27M
50.00%-40M
Net issuance payments of debt
86.96%-6M
-164.21%-61M
-114.62%-19M
20.83%-19M
-28.13%23M
-6.98%-46M
-75.83%95M
306.25%130M
-106.42%-24M
190.91%32M
Net common stock issuance
-40.74%16M
--0
----
----
0.00%20M
0.00%27M
--0
--0
27.69%-47M
253.85%20M
Cash dividends paid
64.86%-13M
47.30%-78M
58.33%-15M
65.79%-13M
64.86%-13M
0.00%-37M
0.67%-148M
2.70%-36M
-2.70%-38M
2.63%-37M
Proceeds from stock option exercised by employees
--2M
--0
--0
--0
--0
--0
-52.63%9M
0.00%1M
--0
0.00%7M
Net other financing activities
-1,700.00%-18M
62.50%13M
70.00%-3M
-9.76%74M
8.06%-57M
50.00%-1M
136.36%8M
-900.00%-10M
90.70%82M
-34.78%-62M
Cash from discontinued financing activities
Financing cash flow
66.67%-19M
-250.00%-126M
-143.53%-37M
81.48%-5M
32.50%-27M
-5.56%-57M
-120.93%-36M
1,800.00%85M
-108.33%-27M
49.37%-40M
Net cash flow
Beginning cash position
-5.11%724M
-57.78%763M
-0.15%665M
-10.66%553M
-62.01%514M
-57.78%763M
38.57%1.81B
-53.97%666M
-34.50%619M
32.52%1.35B
Current changes in cash
58.04%-107M
93.35%-68M
-50.86%57M
186.49%106M
103.29%24M
42.70%-255M
-304.81%-1.02B
-66.57%116M
-92.79%37M
-913.89%-730M
Effect of exchange rate changes
-133.33%-2M
231.82%29M
110.53%2M
-40.00%6M
475.00%15M
166.67%6M
-650.00%-22M
-246.15%-19M
190.91%10M
0.00%-4M
End cash Position
19.65%615M
-5.11%724M
-5.11%724M
-0.15%665M
-10.66%553M
-62.01%514M
-57.78%763M
-57.78%763M
-53.97%666M
-34.50%619M
Free cash flow
52.55%-93M
105.14%51M
217.24%92M
66.67%105M
107.22%50M
50.00%-196M
-633.87%-993M
-91.64%29M
40.00%63M
-7,800.00%-693M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 60.71%-44M141.71%264M-0.72%137M5.04%146M115.00%93M61.38%-112M-213.85%-633M-71.37%138M6.11%139M-1,025.37%-620M
Net income from continuing operations -480.00%-29M-659.42%-386M-416.67%-62M287.50%60M-742.37%-379M-109.26%-5M127.38%69M62.50%-12M-390.91%-32M115.69%59M
Operating gains losses 137.50%3M-500.00%-12M-42.86%20M-36.36%-15M-12.50%-9M38.46%-8M103.37%3M-12.50%35M90.18%-11M20.00%-8M
Depreciation and amortization -10.23%79M16.44%340M9.46%81M8.22%79M24.32%92M23.94%88M-5.50%292M-2.63%74M-3.95%73M-5.13%74M
Deferred tax 21.43%-11M306.45%64M-300.00%-4M11.11%-16M753.33%98M---14M78.32%-31M133.33%2M72.73%-18M79.17%-15M
Other non cash items -129.73%-11M493.33%59M121.43%6M-6.25%30M-100.00%-14M408.33%37M-115.79%-15M-216.67%-28M-52.94%32M-600.00%-7M
Change In working capital 61.86%-82M117.42%178M43.75%92M-91.18%3M140.88%298M45.01%-215M-265.37%-1.02B-82.93%64M-77.03%34M-263.82%-729M
-Change in receivables 30.63%-77M176.26%106M36.55%269M122.45%11M37.62%-63M40.32%-111M-892.86%-139M-0.51%197M-200.00%-49M-80.36%-101M
-Change in inventory 162.75%32M24.29%-106M40.00%-30M58.02%-34M-55.00%9M-75.86%-51M-329.51%-140M-400.00%-50M-192.05%-81M-42.86%20M
-Change in payables and accrued expense 44.76%-58M-4,225.00%-165M-195.56%-86M-91.01%8M194.74%18M32.69%-105M105.41%4M-65.25%90M171.77%89M88.48%-19M
-Change in other current assets -64.58%17M167.35%66M97.26%-4M250.00%6M-23.81%16M54.84%48M---98M-147.46%-146M-125.00%-4M-8.70%21M
-Change in other current liabilities 0.00%4M142.68%277M-111.11%-57M-84.81%12M148.92%318M107.84%4M-200.62%-649M-107.69%-27M-33.61%79M-206.91%-650M
Cash from discontinued investing activities
Operating cash flow 60.71%-44M141.71%264M-0.72%137M5.04%146M115.00%93M61.38%-112M-213.85%-633M-71.37%138M6.11%139M-1,025.37%-620M
Investing cash flow
Cash flow from continuing investing activities 48.84%-44M41.64%-206M59.81%-43M53.33%-35M40.00%-42M14.85%-86M-54.15%-353M17.69%-107M-229.31%-75M-16.67%-70M
Net PPE purchase and sale 41.67%-49M40.83%-213M58.72%-45M46.05%-41M41.10%-43M17.65%-84M2.70%-360M19.26%-109M11.63%-76M-25.86%-73M
Net investment purchase and sale -50.00%-3M-150.00%-1M0.00%2M-200.00%-1M--00.00%-2M125.00%2M--2M112.50%1M-83.33%1M
Net other investing changes --8M60.00%8M--0--7M---------96.64%5M--0--0--2M
Cash from discontinued investing activities
Investing cash flow 48.84%-44M41.64%-206M59.81%-43M53.33%-35M40.00%-42M14.85%-86M-54.15%-353M17.69%-107M-229.31%-75M-16.67%-70M
Financing cash flow
Cash flow from continuing financing activities 66.67%-19M-250.00%-126M-143.53%-37M81.48%-5M32.50%-27M-5.56%-57M-120.93%-36M1,800.00%85M-108.31%-27M50.00%-40M
Net issuance payments of debt 86.96%-6M-164.21%-61M-114.62%-19M20.83%-19M-28.13%23M-6.98%-46M-75.83%95M306.25%130M-106.42%-24M190.91%32M
Net common stock issuance -40.74%16M--0--------0.00%20M0.00%27M--0--027.69%-47M253.85%20M
Cash dividends paid 64.86%-13M47.30%-78M58.33%-15M65.79%-13M64.86%-13M0.00%-37M0.67%-148M2.70%-36M-2.70%-38M2.63%-37M
Proceeds from stock option exercised by employees --2M--0--0--0--0--0-52.63%9M0.00%1M--00.00%7M
Net other financing activities -1,700.00%-18M62.50%13M70.00%-3M-9.76%74M8.06%-57M50.00%-1M136.36%8M-900.00%-10M90.70%82M-34.78%-62M
Cash from discontinued financing activities
Financing cash flow 66.67%-19M-250.00%-126M-143.53%-37M81.48%-5M32.50%-27M-5.56%-57M-120.93%-36M1,800.00%85M-108.33%-27M49.37%-40M
Net cash flow
Beginning cash position -5.11%724M-57.78%763M-0.15%665M-10.66%553M-62.01%514M-57.78%763M38.57%1.81B-53.97%666M-34.50%619M32.52%1.35B
Current changes in cash 58.04%-107M93.35%-68M-50.86%57M186.49%106M103.29%24M42.70%-255M-304.81%-1.02B-66.57%116M-92.79%37M-913.89%-730M
Effect of exchange rate changes -133.33%-2M231.82%29M110.53%2M-40.00%6M475.00%15M166.67%6M-650.00%-22M-246.15%-19M190.91%10M0.00%-4M
End cash Position 19.65%615M-5.11%724M-5.11%724M-0.15%665M-10.66%553M-62.01%514M-57.78%763M-57.78%763M-53.97%666M-34.50%619M
Free cash flow 52.55%-93M105.14%51M217.24%92M66.67%105M107.22%50M50.00%-196M-633.87%-993M-91.64%29M40.00%63M-7,800.00%-693M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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